Daily Market Recap – April 23

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BondWatch Editorial
Published 23 4 月 2025
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Strong rebound in US equities: Nasdaq rose 3%, but YTD remains sharply negative, suggesting a mix of dip-buying and short-covering. Broad decline in global bond yields: 10Y yields fell across US, Germany, UK—signaling weaker growth expectations. Divergence in volatility indicators: VIX dropped sharply while MOVE surged, implying lower equity fears but rising bond market uncertainty....

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